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$529,000
3805 Hartford Street
Saint Louis MO, 63116

Financial Returns

FinancingCash Flow/mo: -$1,851
CashCash Flow/mo: $464
38.38%IRR
10.83%CAP Rate
21.28%Cash On Cash

Property Information

  • Beds: 4
  • Baths: 3.5
  • Sq Feet: 2,589
  • Year: 1897
  • Monthly Rent: $2,363
  • Property Taxes: $2,919
  • Annual HOA: $0

Fantastic location one street away from Tower Grove Park! Very rare opportunity. Great location for AirBnb!

4 bedroom with a huge office upstairs

Financial Projections

Debt (392k, 381k, 368k, 330k) Equity (151k, 162k, 174k, 212k) Appreciation (29k, 91k, 160k, 368k) Cash Positioning (-22k, -66k, -109k, -214k)
$0k$150k$300k$450k$600k$750k$900kYear 1 Debt: $391,646Year 1 Equity: $150,579Year 1 Appreciation: $28,692Year 1 Cash Positioning: -$22,213Year 1Year 3 Debt: $380,517Year 3 Equity: $161,708Year 3 Appreciation: $90,828Year 3 Cash Positioning: -$66,131Year 3Year 5 Debt: $368,034Year 5 Equity: $174,191Year 5 Appreciation: $159,888Year 5 Cash Positioning: -$109,340Year 5Year 10 Debt: $329,779Year 10 Equity: $212,446Year 10 Appreciation: $368,101Year 10 Cash Positioning: -$213,970Year 10

Financing Assumptions

Loan Amount$396,750
Financed Rehab Amount$0
Interest Rate5.75%
Mortgage (yrs)30.0
Mortgage Payment$2,315

Initial Investment

Down Payment (25%)$132,250
Rehab Amount$0
Est Closing Cost (1%)$5,290
Points (2%)$7,935
Total Out Of Pocket$145,475

Property KPI Without Financing

Annual Cash Flow$5,571
All In Cost$542,225
Cap Rate1.03%

Property KPI With Financing

Annual Cash Flow-$22,213
Total Out Of Pocket$145,475
Cash On Cash-15.27%

Swipe the table to see Year 1 to Year 10 →

Annual Revenue Increase3%3%3%3%
Annual Operating Expense Increase3%3%3%3%
Annual Expense Ratio80.35%80.35%80.35%80.35%
MonthlyYear 1Year 3Year 5Year 10
Revenues
Potential Rental Income$2,363$28,356$30,083$31,915$36,998
Gross Rental Income$2,363$28,356$30,083$31,915$36,998
Expenses
Estimated Annual Property Taxes$243$2,919$3,097$3,286$3,809
Estimated Annual Homeowners Insurance$217$2,600$2,758$2,926$3,392
Maintenance & Repairs (15%)$353$4,241$4,500$4,774$5,534
Estimated Annual HOA Dues$0$0$0$0$0
Utilities$25$300$318$338$391
Reserves$0$0$0$0$0
Co-hosting$1,060$12,724$13,499$14,321$16,602
Total Expenses$1,899$22,785$24,172$25,644$29,729
Returns Without Financing
NOI (Cash Available)$464$5,571$5,911$6,271$7,269
Net Cashflow$5,571$5,911$6,271$7,269
Cap Rate1.03%1.09%1.16%1.34%
Returns With Financing
NOI (Cash Available)$464$5,571$5,911$6,271$7,269
Mortgage$2,315$27,784$27,784$27,784$27,784
Net Cashflow-$22,213-$21,873-$21,513-$20,515
Cash On Cash-15.27%-15.04%-14.79%-14.1%

Property Photos

Projections assume 3% annual rent growth and 3% annual expense growth, based on the Short Term Rental strategy. All figures are estimates for information only. Verify independently before investing.